for the overall accounting support to the Asset Management division by ensuring smooth functioning of the maintain accurate financial records of debtors. Manage debtors' books, circulation of debtor statements interest while maintaining adherence to payment terms. Manage transfers between bank accounts efficiently. Maintain annual budgets in collaboration with relevant Asset Managers to align financial plans. Seek favourable payment 30 days) from suppliers to optimise cash flow. Management Accounts: Allocate monthly cash book transactions